kr79.26B
Ingresos
kr36.49
Ganancias por acción
41.17%
Margen bruto %
kr-25,439.15M
Flujo de caja disponible
Ingresos
79,255.00
Ganancias por acción
36.49
Margen bruto %
41.17
Flujo de caja disponible
-25,439.15
Finanzas
Año | Año | TTM | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 |
---|---|---|---|---|---|---|---|---|---|---|
Ing. | Ingresos | N/A | kr79.26B | kr132.28B | kr77.67B | kr52.60B | kr67.84B | kr76.95B | kr59.50B | kr61.20B |
MB % | Margen bruto % | 31.63% | 41.17% | 26.55% | 31.62% | 48.59% | 39.15% | 28.47% | 31.85% | 26.96% |
MO | Margen operativo | 10.72% | 16.07% | 8.55% | 13.42% | 16.22% | 17.44% | 9.96% | 10.25% | 7.50% |
GpA | Ganancias por acción | kr-49.69 | kr36.49 | kr34.60 | kr24.30 | kr38.83 | kr12.79 | kr45.26 | kr30.24 | kr28.00 |
Div. | Dividendos | N/A | kr14.00 | kr13.50 | kr12.50 | kr11.50 | kr10.50 | kr9.75 | kr9.00 | kr6.00 |
IR % | Índice de reparto % | 0 | 38.37% | 39.02% | 51.44% | 29.62% | 82.10% | 21.54% | 29.76% | 21.43% |
Acc. | Acciones | N/AM | 420.23M | 420.23M | 420.17M | 420.07M | 419.99M | 420.05M | 420.16M | 420.16M |
FCO | Flujo de caja operativo | N/A | kr28.53B | kr11.92B | kr12.15B | kr16.47B | kr13.08B | kr10.34B | kr1.02B | kr11.27B |
FCD | Flujo de caja disponible | N/A | kr-25,439.15M | kr-21,080.00M | kr-22,421.00M | kr8.54B | kr-10,226.00M | kr5.81B | kr-16,721.00M | kr5.37B |
FCDA | Flujo de caja disponible por acción | kr19.43 | kr-23.01 | kr-50.17 | kr-53.36 | kr-22.68 | kr-22.80 | kr-10.39 | kr-17.49 | kr1.03 |